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For a two-stock portfolio, what would be the least advantageous correlation coefficient between the two stocks? A. +1.00 B. +0.0 C. 0.00 D. -1.00
For a two-stock portfolio, what would be the least advantageous correlation coefficient between the two stocks?
A. +1.00
B. +0.0
C. 0.00
D. -1.00
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